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At least 595 records · Page 33Linked to original sources

National assessment of hurricane-induced coastal erosion hazards--Gulf of Mexico

Sandy beaches provide a natural barrier between the ocean and inland communities, ecosystems, and resources. However, these dynamic environments move and change in response to winds, waves, and currents. During a hurricane, these changes can be large and sometimes catastrophic. High waves and storm surge act together to erode beaches and inundate low-lying lands, putting inland communities at risk. A decade of USGS research on storm-driven coastal change hazards has provided the data and modeling capabilities to identify areas of our coastline that are likely to experience extreme and potentially hazardous erosion during a hurricane. This report defines hurricane-induced coastal erosion hazards for sandy beaches along the U.S. Gulf of Mexico coastline. The analysis is based on a storm-impact scaling model that uses observations of beach morphology combined with sophisticated hydrodynamic models to predict how the coast will respond to the direct landfall of category 1-5 hurricanes. Hurricane-induced water levels, due to both surge and waves, are compared to beach and dune elevations to determine the probabilities of three types of coastal change: collision (dune erosion), overwash, and inundation. As new beach morphology observations and storm predictions become available, this analysis will be updated to describe how coastal vulnerability to storms will vary in the future.

Open-File Report

Quantifying the impact of longline fisheries on adult survival in the black-footed albatross

1. Industrial longline fishing has been suspected to impact upon black-footed albatross populations Phoebastria nigripes by increasing mortality, but no precise estimates of bycatch mortality are available to ascertain this statement. We present a general framework for quantifying the relationship between albatross population and longline fishing in absence of reliable estimates of bycatch rate. 2. We analysed capture-recapture data of a population of black-footed albatross to obtain estimates of survival probability for this population using several alternative models to adequately take into account heterogeneity in the recapture process. Instead of trying to estimate the number of birds killed by using various extrapolations and unchecked assumptions, we investigate the potential relationship between annual adult survival and several measures of fishing effort. Although we considered a large number of covariates, we used principal component analysis to generate a few uncorrelated synthetic variables from the set and thus we maintained both power and robustness. 3. The average survival for 1997-2002 was 92%, a low value compared to estimates available for other albatross species. We found that one of the synthetic variables used to summarize industrial longline fishing significantly explained more than 40% of the variation in adult survival over 11 years, suggesting an impact by longline fishing on albatross' survival. 4. Our analysis provides some evidence of non-linear variation in survival with fishing effort. This could indicate that below a certain level of fishing effort, deaths due to incidental catch can be partially or totally compensated for by a decrease in natural mortality. Another possible explanation is the existence of a strong interspecific competition for accessing the baits, reducing the risk of being accidentally hooked. 5. Synthesis and applications . The suspicion of a significant impact of longline fishing on the black-footed albatross population was supported by the combination of a low estimate of adult survival for the study period, and a significant relationship between adult survival and a synthetic measure of fishing effort. This study highlights the sensitivity of the black-footed albatross to commercial longline fishing, and should exhort fishery management authorities to find adequate seabirds avoidance methods and to encourage their employment.

Journal of Applied Ecology

Imported Asian swamp eels (Synbranchidae: Monopterus) in North American live food markets: Potential vectors of non-native parasites

Since the 1990s, possibly earlier, large numbers of Asian swamp eels (Synbranchidae: Monopterus spp.), some wild-caught, have been imported live from various countries in Asia and sold in ethnic food markets in cities throughout the USA and parts of Canada. Such markets are the likely introduction pathway of some, perhaps most, of the five known wild populations of Asian swamp eels present in the continental United States. This paper presents results of a pilot study intended to gather baseline data on the occurrence and abundance of internal macroparasites infecting swamp eels imported from Asia to North American retail food markets. These data are important in assessing the potential role that imported swamp eels may play as possible vectors of non-native parasites. Examination of the gastrointestinal tracts and associated tissues of 19 adult-sized swamp eels—identified as M. albus "Clade C"—imported from Vietnam and present in a U.S. retail food market revealed that 18 (95%) contained macroparasites. The 394 individual parasites recovered included a mix of nematodes, acanthocephalans, cestodes, digeneans, and pentastomes. The findings raise concern because of the likelihood that some parasites infecting market swamp eels imported from Asia are themselves Asian taxa, some possibly new to North America. The ecological risk is exacerbated because swamp eels sold in food markets are occasionally retained live by customers and a few reportedly released into the wild. For comparative purposes, M. albus "Clade C" swamp eels from a non-native population in Florida (USA) were also examined and most (84%) were found to be infected with internal macroparasites. The current level of analysis does not allow us to confirm whether these are non-native parasites.

Aquatic Invasions

Incremental evolution of modeling a prognosis for polar bears in a rapidly changing Arctic

Updating predictions of the response of high-profile, at-risk species to climate change and anthropogenic stressors is vital for informing effective conservation action. Here, we review two prior generations of Bayesian network probability models predicting changes in global polar bear ( Ursus maritimus ) population status, and provide a contemporary update based on recent research findings and sea-ice projections by newer climate models. We compare predictions of polar bear population response from all 3 models among four circumpolar Arctic ecoregions, using sea ice projections based on three IPCC greenhouse gas emissions scenarios (SSP2.6, 4.5, 8.5). Consistent with the previous two model generations, polar bears will continue to experience increasing probability of declining or greatly declining populations throughout the 21st century, varying by emission scenario. Populations within the Polar Basin Divergent Ice Ecoregion have the highest predicted probability of declines, but predictions were slightly less dire relative to the previous model generation. Most of the influence, denoted by model sensitivity analysis, is from expected degradation and loss of sea ice and reduced access to marine prey. The lack of terrestrial prey adequate to substitute for loss of access to marine prey, as well as human-caused bear morality associated with hunting and defense of life and property encountered when polar bears are increasingly forced ashore also contributed to predicted declines. Although some tidewater glacial fjords and other localized onshore resources may provide local refugia, their benefit is transient. Our findings continue to inform priorities for inventory, monitoring, and research needs, and suggest that similar updates to models of other at-risk species can capitalize on the comparison framework we present here.

Ecological Indicators

Identifying credible and diverse GCMs for regional climate change studies—case study: Northeastern United States

Climate data obtained from global climate models (GCMs) form the basis of most studies of regional climate change and its impacts. Using the northeastern US as a test case, we develop a framework to systematically sub-select reliable models for use in climate change studies in the region. We retain 14 of 36 CMIP5 GCMs that (a) have satisfactory historical performance, and (b) provide diverse climate scenarios consistent with uncertainties in the multi-model ensemble (MME). The historical performance is evaluated for a wide variety of standard and process metrics including large-scale atmospheric circulation features that drive regional climate variability. Model performance is then used in conjunction with the assessment of diversity and redundancy in model projections to eliminate models without underrepresenting the uncertainty in the MME. Overall, the models show significant variations in their performance across metrics and seasons with none emerging as the best model. This combined with a lack of a strong relationship between model biases and future projections together highlight the importance of maintaining diversity in projections for risk assessment. The summer mean precipitation projections, in particular, are uncertain but also have considerable redundancy in their spatial patterns within the ensemble, which we use effectively to eliminate models. The better performing models in the retained set do suggest a potential to narrow the ranges in temperature and precipitation projections. But any further refinement should be based on a detailed analysis of the physical processes that drive regional climate variability and extremes to avoid providing overconfident projections.

Connecticut, Maine, Massachusetts, New Hampshire,

Landsat TM inventory and assessment of waterbird habitat in the southern altiplano of South America

The diverse set of wetlands in southern altiplano of South America supports a number of endemic and migratory waterbirds. These species include endangered endemic flamingos and shorebirds that nest in North America and winter in the altiplano . This research developed maps from nine Landsat Thematic Mapper (TM) images (254,300 km 2 ) to provide an inventory of aquatic waterbird habitats. Image processing software was used to produce a map with a classification of wetlands according to the habitat requirements of different types of waterbirds. A hierarchical procedure was used to, first, isolate the bodies of water within the TM image; second, execute an unsupervised classification on the subsetted image to produce 300 signatures of cover types, which were further subdivided as necessary. Third, each of the classifications was examined in the light of field data and personal experience for relevance to the determination of the various habitat types. Finally, the signatures were applied to the entire image and other adjacent images to yield a map depicting the location of the various waterbird habitats in the southern altiplano . The data sets referenced with a global positioning system receiver were used to test the classification system. Multivariate analysis of the bird communities censused at each lake by individual habitats indicated a salinity gradient, and then the depth of the water separated the birds. Multivariate analysis of the chemical and physical data from the lakes showed that the variation in lakes were significantly associated with difference in depth, transparency, latitude, elevation, and pH. The presence of gravel bottoms was also one of the qualities distinguishing a group of lakes. This information will be directly useful to the Flamingo Census Project and serve as an element for risk assessment for future development.

Wetlands Ecology and Management

New and revised 14C dates for Hawaiian surface lava flows: Paleomagnetic and geomagnetic implications

Radiocarbon dates have been obtained for 30 charcoal samples corresponding to 27 surface lava flows from the Mauna Loa and Kilauea volcanoes on the Island of Hawaii. The submitted charcoal was a mixture of fresh and archived material. Preparation and analysis was undertaken at the NERC Radiocarbon Laboratory in Glasgow, Scotland, and the associated SUERC Accelerator Mass Spectrometry facility. The resulting dates range from 390 years B.P. to 12,910 years B.P. with corresponding error bars an order of magnitude smaller than previously obtained using the gas‐counting method. The new and revised 14 C data set can aid hazard and risk assessment on the island. The data presented here also have implications for geomagnetic modelling, which at present is limited by large dating errors.

Hawaii

Soil clay content underlies prion infection odds

Environmental factors—especially soil properties—have been suggested as potentially important in the transmission of infectious prion diseases. Because binding to montmorillonite (an aluminosilicate clay mineral) or clay-enriched soils had been shown to enhance experimental prion transmissibility, we hypothesized that prion transmission among mule deer might also be enhanced in ranges with relatively high soil clay content. In this study, we report apparent influences of soil clay content on the odds of prion infection in free-ranging deer. Analysis of data from prion-infected deer herds in northern Colorado, USA, revealed that a 1% increase in the clay-sized particle content in soils within the approximate home range of an individual deer increased its odds of infection by up to 8.9%. Our findings suggest that soil clay content and related environmental properties deserve greater attention in assessing risks of prion disease outbreaks and prospects for their control in both natural and production settings.

Colorado

Stage structure alters how complexity affects stability of ecological networks

Resolving how complexity affects stability of natural communities is of key importance for predicting the consequences of biodiversity loss. Central to previous stability analysis has been the assumption that the resources of a consumer are substitutable. However, during their development, most species change diets; for instance, adults often use different resources than larvae or juveniles. Here, we show that such ontogenetic niche shifts are common in real ecological networks and that consideration of these shifts can alter which species are predicted to be at risk of extinction. Furthermore, niche shifts reduce and can even reverse the otherwise stabilizing effect of complexity. This pattern arises because species with several specialized life stages appear to be generalists at the species level but act as sequential specialists that are hypersensitive to resource loss. These results suggest that natural communities are more vulnerable to biodiversity loss than indicated by previous analyses.

Ecology Letters

From open to closed canopy: A century of change in Douglas-fir forest, Orcas Island, Washington

During the past century, forest structure on south-facing slopes of Mount Constitution, Orcas Island, Washington, has changed from open-grown Douglas-fir (Pseudotsuga menziesii) mixed with prairie to primarily closed canopy forest. Density of open-grown Douglas-fir was approximately 7 stems/ha in the 19th century, while current density of trees in closed-canopy mature forest is 426 stems/ha. Trees occur at intermediate densities in areas of transition from savanna-like stands to closed canopy. Analysis of fire scars indicates that at least seven fires have occurred on Mount Constitution since 1736, but only one fire has occurred since 1893, which suggests that the recent increase in stem density has been caused primarily by fire exclusion. The high stem densities currently found in this landscape put the relict (120-350+ years old) Douglas-fir at risk from contemporary fires, which would likely be high-intensity crown fires. Given the transition of forests on Orcas Island during the 20th century to closed canopy structure, undisturbed open-grown coniferous forest is now extremely rare in the San Juan Islands.

Northwest Science

Joint spatial modeling bridges the gap between disparate disease surveillance and population monitoring efforts informing conservation of at-risk bat species

White-Nose Syndrome (WNS) is a wildlife disease that has decimated hibernating bats since its introduction in North America in 2006. As the disease spreads westward, assessing the potentially differential impact of the disease on western bat species is an urgent conservation need. The statistical challenge is that the disease surveillance and species response monitoring data are not co-located, available at different spatial resolutions, non-Gaussian, and subject to observation error requiring a novel extension to spatially misaligned regression models for analysis. Previous work motivated by epidemiology applications has proposed two-step approaches that overcome the spatial misalignment while intentionally preventing the human health outcome from informing estimation of exposure. In our application, the impacted animals contribute to spreading the fungus that causes WNS, motivating development of a joint framework that exploits the known biological relationship. We introduce a Bayesian, joint spatial modeling framework that provides inferences about the impact of WNS on measures of relative bat activity and accounts for the uncertainty in estimation of WNS presence at non-surveyed locations. Our simulations demonstrate that the joint model produced more precise estimates of disease occurrence and unbiased estimates of the association between disease presence and the count response relative to competing two-step approaches. Our statistical framework provides a solution that leverages disparate monitoring activities and informs species conservation across large landscapes. Stan code and documentation are provided to facilitate access and adaptation for other wildlife disease applications.

Journal of Agricultural, Biological and Environmen

Using decision science for monitoring threatened western snowy plovers to inform recovery

Western Snowy Plovers ( Charadrius nivosus nivosus ) are federally listed under the US Endangered Species Act as Threatened. They occur along the US Pacific coastline and are threatened by habitat loss and destruction and excessive levels of predation and human disturbance. Populations have been monitored since the 1970s for distribution, reproduction, and survival. Since the species was federally listed in 1993 and a recovery plan was approved under the US Fish and Wildlife Service in 2007, recovery actions have resulted in growing populations with increased presence at breeding and wintering sites throughout their Pacific Coast range. This success has created logistical challenges related to monitoring a recovering species and a need for identifying and instituting the best monitoring approach given recovery goals, budgets, and the likelihood of monitoring success. We devised and implemented a structured decision analysis to evaluate nine alternative monitoring strategies. The analysis included inviting plover biologists involved in monitoring to score each strategy according to a suite of performance measures. Using multi-attribute utility theory, we combined scores across the performance measures for each monitoring strategy, and applied weighted utility values to show the implications of tradeoffs and find optimal decisions. We evaluated four scenarios for weighting the monitoring objectives and how risk attitude affects optimal decisions. This resulted in identifying six strategies that best meet recovery needs and were Pareto optimal for cost-effective monitoring. Results were presented to the US Fish and Wildlife Service, responsible for monitoring as well as for consideration to ensure consistent monitoring methods across the species’ range. Our use of structured decision-making can be applied to cases of other species once imperiled but now on the road to recovery.

California, Oregon, Washington

Interagency Flood Risk Management (InFRM) watershed hydrology assessment for the Neches River basin. Appendix D: RiverWare analyses

RiverWare is a river system modeling tool developed by CADSWES (Center of Advanced Decision Support for Water and Environmental Systems) that allows the user to simulate complex reservoir operations and perform period-of-record analyses for different scenarios. For the InFRM hydrology studies, RiverWare is used to generate a homogeneous regulated POR by simulating the basin as if the reservoirs and their current rule sets had been present in the basin for the entire time period. Statistical analyses can then be performed on the extended records at the gages. This report summarizes the RiverWare portion of the hydrologic analysis being completed for the InFRM Hydrology study of the Neches River Basin. The RiverWare model described in this chapter presents development of the Neches River Basin hydrology, which mimics current operational conditions. The use of the RiverWare program allows for data extension to periods prior to dam construction. The utilization of longer streamgage record improves discharge frequency results and increases the confidence of the analysis being performed. The modeling evaluation criteria are: (1) evaluate output based on validating policies and functions, and (2) prioritize operation based on surcharge and flood control. A detailed explanation of the Neches River Basin POR hydrology will be in a later section. Calibration results will also be shown that illustrate model performance since the Salt Water Barrier (SWB) construction was completed in 2005. The time window simulation run is for water year (WY) 2005 – WY 2018. This time window also captures the time when Hurricane Harvey occurred (late August of 2017). Each simulated water year was inspected individually to better validate the results. After calibration, a general run for January 01, 1929 through WY 2018 was made. Historical pool elevations along with observed inflows and outflows were compared against the model simulated results. More emphasis was put on B.A. Steinhagen’s operations because the dam captures two major rivers (i.e. the Angelina and the Neches Rivers). Results were inspected closely for B.A. Steinhagen’s pool and releases, the simulated discharges at the Neches at Evadale gage, and the simulated discharges at the SWB at Beaumont, Texas.

Texas

Synthesizing models useful for ecohydrology and ecohydraulic approaches: An emphasis on integrating models to address complex research questions

Ecohydrology combines empiricism, data analytics, and the integration of models to characterize linkages between ecological and hydrological processes. A challenge for practitioners is determining which models best generalizes heterogeneity in hydrological behaviour, including water fluxes across spatial and temporal scales, integrating environmental and socio‐economic activities to determine best watershed management practices and data requirements. We conducted a literature review and synthesis of hydrologic, hydraulic, water quality, and ecological models designed for solving interdisciplinary questions. We reviewed 1,275 papers and identified 178 models that have the capacity to answer an array of research questions about ecohydrology or ecohydraulics. Of these models, 43 were commonly applied due to their versatility, accessibility, user‐friendliness, and excellent user‐support. Forty‐one of 43 reviewed models were linked to at least 1 other model especially: Water Quality Analysis Simulation Program (linked to 21 other models), Soil and Water Assessment Tool (19), and Hydrologic Engineering Center's River Analysis System (15). However, model integration was still relatively infrequent. There was substantial variation in model applications, possibly an artefact of the regional focus of research questions, simplicity of use, quality of user‐support efforts, or a limited understanding of model applicability. Simply increasing the interoperability of model platforms, transformation of models to user‐friendly forms, increasing user‐support, defining the reliability and risk associated with model results, and increasing awareness of model applicability may promote increased use of models across subdisciplines. Nonetheless, the current availability of models allows an array of interdisciplinary questions to be addressed, and model choice relates to several factors including research objective, model complexity, ability to link to other models, and interface choice.

Ecohydrology

The role of floodplain restoration in mitigating flood risk, Lower Missouri River, USA

Recent extreme floods on the Lower Missouri River have reinvigorated public policy debate about the potential role of floodplain restoration in decreasing costs of floods and possibly increasing other ecosystem service benefits. The first step to addressing the benefits of floodplain restoration is to understand the interactions of flow, floodplain morphology, and land cover that together determine the biophysical capacity of the floodplain. In this article we address interactions between ecological restoration of floodplains and flood-risk reduction at 3 scales. At the scale of the Lower Missouri River corridor (1300 km) floodplain elevation datasets and flow models provide first-order calculations of the potential for Missouri River floodplains to store floods of varying magnitude and duration. At this same scale assessment of floodplain sand deposition from the 2011 Missouri River flood indicates the magnitude of flood damage that could potentially be limited by floodplain restoration. At the segment scale (85 km), 1-dimensional hydraulic modeling predicts substantial stage reductions with increasing area of floodplain restoration; mean stage reductions range from 0.12 to 0.66 m. This analysis also indicates that channel widening may contribute substantially to stage reductions as part of a comprehensive strategy to restore floodplain and channel habitats. Unsteady 1-dimensional flow modeling of restoration scenarios at this scale indicates that attenuation of peak discharges of an observed hydrograph from May 2007, of similar magnitude to a 10 % annual exceedance probability flood, would be minimal, ranging from 0.04 % (with 16 % floodplain restoration) to 0.13 % (with 100 % restoration). At the reach scale (15–20 km) 2-dimensional hydraulic models of alternative levee setbacks and floodplain roughness indicate complex processes and patterns of flooding including substantial variation in stage reductions across floodplains depending on topographic complexity and hydraulic roughness. Detailed flow patterns captured in the 2-dimensional model indicate that most floodplain storage occurs on the rising limb of the flood as water flows into floodplain bottoms from downstream; at a later time during the rising limb this pattern is reversed and the entire bottom conveys discharge down the valley. These results indicate that flood-risk reduction by attenuation is likely to be small on a large river like the Missouri and design strategies to optimize attenuation and ecological restoration should focus on frequent floods (20–50 % annual exceedance probability). Local stage reductions are a more certain benefit of floodplain restoration but local effects are highly dependent on magnitude of flood discharge and how floodplain vegetation communities contribute to hydraulic roughness. The most certain flood risk reduction benefit of floodplain restoration is avoidance of flood damages to crops and infrastructure.

Iowa, Kansas, Minnesota, Missouri, Nebraska, South

Native prey distribution and migration mediates wolf ( Canis lupus ) predation on domestic livestock in the Greater Yellowstone Ecosystem

Little research has evaluated how the migration and distribution of native prey influence patterns of livestock depredation by large carnivores. Previous research suggests that the presence of native prey can increase depredation rates by attracting predators (prey tracking hypothesis). Alternatively, the absence of native prey may facilitate predation on livestock (prey scarcity hypothesis). In this study, we evaluated support for these competing hypotheses through analysis of 4 years of cattle ( Bos taurus L., 1758) depredation data ( n = 39 kills), 2 years of summer and fall wolf ( Canis lupus L., 1758) predation and tracking data ( n = 4 wolves), and 3 years of elk ( Cervus elaphus L., 1758) movement data ( n = 70 elk). We used logistic regression to compare the relative influence of landscape features and elk distribution on the risk of livestock depredation in areas with migratory and resident elk. Cattle depredations occurred in habitats with increased encounter rates between wolves and livestock. In resident elk areas, depredation sites were associated with elk distribution and open roads. In migratory elk areas, depredation sites were associated with wolf dens, streams, and open habitat. Patterns of carnivore–livestock conflicts are complex, and using ungulate distribution data can predict and minimize such instances.

Canadian Journal of Zoology

What 25+ years of "Did You Feel It" intensities tell us about shaking in California

“When will the Big One happen?” is a question that people often have for earthquake scientists. But while waiting for the “Big One” to occur, people will usually experience frightening or damaging shaking from multiple relatively smaller‐magnitude earthquakes. Given this context, it raises the question: “Where does most of the damage come from?” Could smaller, yet more frequent, earthquakes account for the majority of reported impactful shaking? To explore this question, we consider reports of earthquake damage and felt shaking experiences from a catalog of community‐collected intensity values from the U.S. Geological Survey’s “Did You Feel It?” system. Comparing these intensities to expectations from a ground‐motion model, we find that earthquakes of magnitudes smaller than expected are responsible for most reported intensities of community decimal intensities (CDI) 4.5 and above (moderate and higher shaking intensity levels). (Here “expected value” is meant in its mathematical sense of the mean or equivalently median shaking intensity.) We also present a regional analysis of observed earthquake shaking for specific areas, detailing the maximum intensity experienced within a predetermined area. We identify several instances of M < 4.5 events that generated maximum intensities of CDI > 5 in regions in California surrounding the cities of Eureka, San Francisco, Los Angeles, and San Diego. Our results motivate the need to include smaller‐magnitude earthquakes in communications about earthquake hazard and risk reduction.

California

Flood hazards in the Seattle-Tacoma urban complex and adjacent areas, Washington

Floods are natural hazards that have complicated man's land-use planning for as long as we have had a history. Although flood hzards are a continuing danger, the year-to-year threat cannot be accurately predicted. Also, on any one stream, the time since the last destructive flood might be so long that most people now living near the stream have not experienced such a flood. Because of the unpredictability and common infrequency of disastrous flooding, or out of ignorance about the danger, or perhaps because of an urge to gamble, man tends to focus his attention on only the advantages of the flood-prone areas, rather than the risk due to the occasional major flood. The purposes of this report are to: (1) briefly describe flood hazards in this region, including some that may be unique to the Puget Sound basin, (2) indicate the parts of the area for which flood-hazard data are available, and (3) list the main sources of hydrologic information that is useful for flood-hazard analysis in conjuction with long-range planning. This map-type report is one of a series being prepared by the U.S. Geological Survey to present basic environmental information and interpretations to assist land-use planning in the Puget Sound region.

Washington